Page 74 - Dalworthington Gardens FY21 Budget
P. 74

09/17/2020






                                                                                              180-PRFDC FUND SUMMARY




                                                    Beginning Fund Balance                           555,139                553,365             553,365            572,153



                                                                                                                                                                    FY 19/20                    FY 20/21
                                                                                                                                                                                      P
                                                                                                           FY 19/20                          FY 20/21               Projected                   roposed Budget
                                                                                        FY 18/19                            FY 19/20
                                                      REVENUE CATEGORY                                    Amended                            Proposed                   vs                                 vs
                                                                                         Actual                             Projected
                                                                                                           Budget                             Budget                 FY19/20                                   19/20
                                                                                                                                                                                           FY
                                                                                                                                                                Amended Budget            Projected
                                               Sales & Use Tax                                     105,706                103,839             119,139            118,601                          15,300                              (539)

                                               Other Revenue                                          11,875                  74,754                 8,541                 4,200                       (66,213)                           (4,341)
                                               Other Sources                                                -                   20,548                      -                      -                       (20,548)                                -
                                                        TOTAL REVENUE                                117,581                199,142             127,680            122,801                       (71,462)                          (4,879)







                                                                                                                                                                    FY 19/20                    FY 20/21
                                                                                                           FY 19/20                          FY 20/21               Projected                   roposed Budget
                                                                                                                                                                                      P
                                                                                        FY 18/19                            FY 19/20
                                                      EXPENSE CATEGORY                                    Amended                            Proposed                   vs                                 vs
                                                                                         Actual                             Projected
                                                                                                           Budget                             Budget                 FY19/20                                   19/20
                                                                                                                                                                                           FY
                                                                                                                                                                Amended Budget            Projected
                                               Personnel Salary & Wages                               23,941                  23,340               29,016               32,813                           5,676                            3,797
                                               Personnel Taxes & Benefits                             11,690                  11,732               14,657               12,179                           2,926                           (2,478)
                                               Training & Travel                                            -                        675                      -                     175                             (675)                               175
                                               Materials & Supplies                                     9,923                       600                     687                 2,497                                87                            1,810
                                               Utilities                                                7,156                    6,463                 5,603                 5,669                             (860)                                 66
                                               Maintenance                                            22,852                    8,900                 3,518               10,100                         (5,382)                            6,582

                                               Consultants                                              6,572                  18,000               26,215               12,000                           8,215                        (14,215)
                                               Contractual                                              2,359                    2,772                 3,231                 5,677                              459                            2,446
                                               Other Expenses                                           5,465                  12,300                 4,753                 8,315                         (7,547)                              3,562
                                               Capital Outlay                                         29,398                129,618               21,210               27,180                     (108,408)                            5,970
                                               Other Uses                                                   -                         -                        -                      -                               -                                 -
                                                        TOTAL EXPENSES                             119,356                214,400             108,891            116,604                     (105,508)                            7,713




                                                   REVENUE OVER EXPENSES                                (1,775)                (15,258)               18,789                 6,196                        34,047                        (12,592)

                                                    ENDING FUND BALANCE                              553,365                538,107             572,153            578,350

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